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Unit Prices

Perpetual Balanced Growth Fund No.2

Perpetual Investment Funds

As of Date Entry Price Exit Price

24/04/2025

1.542933

1.538625

23/04/2025

1.534437

1.529847

22/04/2025

1.525536

1.520973

17/04/2025

1.525038

1.520477

16/04/2025

1.515311

1.510779

15/04/2025

1.521749

1.517197

14/04/2025

1.520528

1.515980

11/04/2025

1.510706

1.506187

10/04/2025

1.506291

1.501786

09/04/2025

1.500023

1.495536

08/04/2025

1.488237

1.484526

07/04/2025

1.486670

1.482963

04/04/2025

1.512325

1.508554

03/04/2025

1.535650

1.531820

02/04/2025

1.555807

1.551927

01/04/2025

1.554303

1.550427

31/03/2025

1.548779

1.544917

28/03/2025

1.553973

1.550098

27/03/2025

1.559479

1.555590

26/03/2025

1.563530

1.559631

25/03/2025

1.562405

1.558509

24/03/2025

1.563739

1.559839

21/03/2025

1.560043

1.556153

20/03/2025

1.562019

1.558124

19/03/2025

1.555706

1.551826

18/03/2025

1.555280

1.551401

17/03/2025

1.553045

1.549172

14/03/2025

1.545127

1.541274

13/03/2025

1.536181

1.532350

12/03/2025

1.540606

1.536764